Posted By
Posted in
Banking & Finance
Job Code
1626308

Looking for candidates based in Bangalore only.
What You'll Do:
- Continuously monitor and analyze portfolio performance using various segmentation and trend analysis techniques.
- Proactively identify and assess key credit, operational, and market risks that could impact the organization.
- Design and recommend effective risk mitigation strategies and propose data-driven portfolio adjustments.
- Partner closely with business, credit, and collections teams to ensure alignment of risk controls and strategies.
- Prepare comprehensive risk dashboards and reports, and present insightful findings and recommendations to senior management.
What You'll Bring:
- Master's or Bachelor's in any relevant field
- Demonstrated proficiency in portfolio analysis and interpreting complex financial data.
- Strong understanding of risk frameworks and regulatory requirements within NBFCs or banks.
- Working knowledge of credit risk models and various analytical tools.
- Ability to translate complex data insights into clear, actionable risk strategies.
- Exceptional attention to detail and a proven ability to make sound, data-backed decisions
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1626308